SCOR Se

$ 31.44 0.96 %

SCOR SE is a prominent global player specializing in life and property & casualty (P&C) reinsurance. The company extends its comprehensive coverage to diverse markets spanning Europe, the Middle East, Africa, the Americas (including Latin America), and the Asia Pacific region. Its business is strategically organized into two distinct segments: SCOR Global P&C and SCOR Global Life. The SCOR Global P&C division delivers an extensive range of reinsurance products for areas such as property damage, motor vehicle incidents, casualty treaties, credit and surety, decennial insurance, aviation, marine and energy, engineering projects, agricultural risks, and major property catastrophes. This segment further provides specialty coverage for complex risks including business solutions, political and credit exposures, cyber threats, and environmental impairment liability, alongside fostering business ventures and partnerships. Conversely, the SCOR Global Life segment focuses on providing life reinsurance protection for a variety of risks, including mortality, morbidity, behavioral factors, disability, long-term care, critical illnesses, medical expenses, and personal accidents. It also offers sophisticated financial solutions that integrate traditional life reinsurance with financial elements, aimed at improving clients' liquidity, balance sheet stability, solvency positions, and overall income. Additionally, this segment develops longevity solutions, designed to mitigate the financial impact on insurers or pension funds arising from insured individuals or annuitants living longer than actuarially anticipated. Distribution solutions are also a key offering. Beyond its core reinsurance operations, SCOR SE is actively involved in asset management. Established in 1970, the company is proudly headquartered in Paris, France.

CEO: Thierry Leger - https://www.scor.com

Price objectif

-

Recommandation

Buy

DCF

$ 65.72

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SCR.PA vs S&P500

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Quick ratio

133.06

suggests a healthy liquidity position, showing that the company can likely meet its short-term obligations.

P/E ratio

6.72

may indicate that the company is undervalued or has poor growth prospects.

EPS

4.68

is the net profit of a company divided by the number of outstanding shares, indicating the profit earned per share.

ROE

20.03 %

is generally considered excellent, indicating that the company is generating strong profits with its equity.

ROIC

9.17 %

generates a return higher than the cost of its capital, thereby creating value for its investors.

WACC

5.04

is a company's average cost of capital, weighted by the proportion of debt and equity in its financing. It represents the minimum return the company must generate to satisfy its investors.

Debt-to-Equity Ratio

0.81

indicates that the company uses more equity than debt, suggesting prudent management.

Free cash flow per share

6.10

is a measure of a company's financial flexibility that is determined by dividing free cash flow by the total number of shares outstanding.

Dividend payout ratio

36.80 %

indicates that the company is retaining a large portion of its profits to reinvest in growth

Earnings per share

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Financials

Piotroski score
5 indicates moderate financial health
Altman score
1.75 indicates a high risk of bankruptcy
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Cash / Debt

Cash Ratio
11.15 indicates that the company has sufficient cash to cover its short-term debts
Debt Ratio
0.10 indicates that the company uses little debt to finance its assets, suggesting good financial stability
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Free Cash Flow

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Earnings Per Share (annual)

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Sales

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